Manager, Financial Analysis

Liberty Mutual

Liberty Mutual

Accounting & Finance

Boston, MA, USA

Posted on May 23, 2026

Manager, Financial Analysis

Job Locations US-MA-Boston
ID
2026-76152
Position Type
Full-Time
Job Grade
17
Department
043D-13949 Debt Capital Markets & Investor Relation
Market
Corporate Center
Referral Bonus Amount
0
Minimum Salary
USD $114,000.00/Yr.
Maximum Salary
USD $197,000.00/Yr.
Travel
25%
Recruiter
Leah Shirley
Internal Application Deadline
6/5/26
Referral Bonus Eligible?
Yes

Description

Liberty Mutual’s Investor Relations & Capital Markets team, part of the broader Capital Management organization, plays a critical role in shaping how the company communicates its financial strength, capital strategy, and long-term aspirations to investors, creditors, rating agencies, and banking partners.

This role will support debt portfolio management, financing execution, liability management, investor engagement, banking relationship management, market intelligence, and executive communications. In this position you will work closely with senior leadership across the enterprise to support funding strategy, evaluate market opportunities, and enhance the company’s positioning within the fixed income investor community. The ideal candidate combines strong financial analysis, clear communication, sound judgment, and the ability to translate market developments into practical recommendations for senior leaders.

This role is ideal for someone who wants to:

  • Build expertise across investor relations, debt capital markets, and capital strategy
  • Gain direct exposure to investors, banking partners, and senior leadership discussions
  • Support strategic financing, liability management, and investor engagement initiatives
  • Translate market developments and peer activity into actionable recommendations
  • Help shape how the company is perceived externally by investors and creditors
  • Use AI and automation to improve market intelligence, benchmarking, investor targeting, and executive preparation

Responsibilities:

  • Support the management and optimization of Liberty Mutual’s debt portfolio, including monitoring leverage metrics, cost of debt, market spreads, trading activity, and refinancing opportunities
  • Support execution of debt financing and liability management transactions, including refinancing analysis, tender offers, exchanges, open market repurchases, and liquidity-related initiatives
  • Support management of key banking relationships across the company’s core bank group, including relationship coordination, market intelligence gathering, and evaluation of financing opportunities
  • Help develop and execute investor engagement strategies designed to strengthen relationships with existing investors, broaden and diversify the fixed income investor base, and improve overall market positioning
  • Assist in preparing investor-facing and executive-facing materials, including presentations, talking points, market updates, briefing materials, and strategic communications
  • Monitor fixed income markets, peer activity, industry developments, and broader macroeconomic trends, translating external developments into actionable insights for Finance leadership and senior management
  • Develop and enhance analytical tools and dashboards related to debt spreads, investor participation, trading activity, and peer benchmarking
  • Identify and implement practical AI and automation use cases that improve market analysis, investor intelligence, benchmarking, and executive preparation
  • Support capital markets-related messaging for earnings, investor updates and executive communication

Success in this role requires the ability to operate effectively across capital markets, finance and communications while contributing to a high-performance, collaborative culture through strong execution, sound judgment, and proactive partnership.

Qualifications

  • Bachelor`s degree (Finance or Accounting) required. CPA or advanced degree in Accounting, Finance, or Business preferred.
  • Minimum of 7 years of finance experience.
  • 5+ years of experience in debt capital markets, treasury, corporate finance, banking, investor relations, rating agency advisory, or capital management
  • Strong understanding of fixed income markets, capital structure concepts, and corporate financing strategies
  • Excellent analytical, writing, and presentation skills with the ability to prepare executive-ready materials
  • Strong judgment, attention to detail, and ability to manage multiple deliverables under tight timelines and across stakeholder groups
  • Ability to work effectively with senior leaders, investors, bankers, and cross-functional finance partners

Preferred Qualifications:

  • Insurance, financial services, or regulated-industry experience
  • Experience with Bloomberg, Capital IQ, financial modeling, and dashboarding tools
  • MBA, CFA, or relevant advanced designations (or desire to pursue)
  • Practical experience using AI tools or automation tools to improve market intelligence, benchmarking, or workflow efficiency
  • Must demonstrate ability to execute thoroughly in a fast-paced work environment, adapting quickly to changing conditions to achieve results.
  • Facilitates cross-functional collaboration and communicates effectively to a wide variety of audiences at all levels of the organization.
  • Comfortable leading meetings and making presentations to increasingly large audiences.
  • Advanced understanding of Finance Tools and Analytical Methods.

Employees may apply for a new role after completing 12 months of employment in their current position.

Travel

25%

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